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貸借対照表は、特定の時点における企業の財務状況を示す決算書類の一つです。投資家や債権者が企業の財務健全性を評価したり、貸借対照表の複数の期間を比較することによって、企業の成長や変化を把握することができます。貸借対照表は、資産、負債、資本の3つのセクションに分かれ、資産の合計が、負債と資本の合計と必ず一致するようにできています。
貸借対照表 損益計算書
2026年3月31日
| | (単位:千円) |
| 前事業年度 (2025年3月31日) | 当事業年度 (2026年3月31日) |
資産の部 | | |
流動資産 | | |
現金及び預金 | 2,954,759 | 2,006,175 |
売掛金 | 2,576,552 | 3,483,563 |
商品及び製品 | 1,963,646 | 2,619,255 |
仕掛品 | 294,315 | 369,905 |
原材料及び貯蔵品 | 791,320 | 932,556 |
前渡金 | 14,359 | 3,124 |
前払費用 | 91,512 | 97,475 |
未収入金 | 42,331 | 38,413 |
未収還付法人税等 | 7,665 | - |
その他 | 171,795 | 121,349 |
流動資産合計 | 8,908,257 | 9,671,819 |
固定資産 | | |
有形固定資産 | | |
建物 | 8,050,466 | 8,269,409 |
減価償却累計額 | △5,765,265 | △5,932,873 |
建物(純額) | 2,285,201 | 2,336,536 |
構築物 | 268,904 | 268,904 |
減価償却累計額 | △259,376 | △261,882 |
構築物(純額) | 9,527 | 7,021 |
機械及び装置 | 8,767,985 | 8,867,978 |
減価償却累計額 | △8,157,643 | △8,285,248 |
機械及び装置(純額) | 610,342 | 582,730 |
車両運搬具 | 38,323 | 38,883 |
減価償却累計額 | △36,128 | △35,843 |
車両運搬具(純額) | 2,194 | 3,039 |
工具、器具及び備品 | 1,086,391 | 1,151,358 |
減価償却累計額 | △977,442 | △1,007,822 |
工具、器具及び備品(純額) | 108,949 | 143,535 |
土地 | 82,947 | 82,947 |
建設仮勘定 | 214,205 | 505,865 |
有形固定資産合計 | 3,313,368 | 3,661,676 |
無形固定資産 | | |
ソフトウエア | 261,831 | 199,844 |
ソフトウエア仮勘定 | 12,204 | 38,000 |
その他 | 3,680 | 3,680 |
無形固定資産合計 | 277,715 | 241,524 |
| | (単位:千円) |
| 前事業年度 (2025年3月31日) | 当事業年度 (2026年3月31日) |
投資その他の資産 | | |
投資有価証券 | 1,847,919 | 2,252,637 |
長期前払費用 | 47,481 | 67,545 |
保険積立金 | 291,529 | 291,964 |
修繕積立金 | 132,720 | 153,542 |
その他 | 215,121 | 190,301 |
貸倒引当金 | △31,403 | △31,403 |
投資その他の資産合計 | 2,503,368 | 2,924,587 |
固定資産合計 | 6,094,451 | 6,827,788 |
資産合計 | 15,002,709 | 16,499,607 |
負債の部 | | |
流動負債 | | |
支払手形 | 36,102 | - |
買掛金 | 904,581 | 1,005,435 |
短期借入金 | 100,000 | 100,000 |
1年内返済予定の長期借入金 | - | 38,460 |
未払金 | 16,237 | 2,300 |
未払費用 | 460,876 | 501,209 |
未払法人税等 | 44,997 | 111,370 |
前受金 | 195 | 175 |
預り金 | 15,625 | 17,037 |
賞与引当金 | 118,528 | 370,900 |
未払消費税等 | - | 150,001 |
設備関係支払手形 | 28,560 | - |
設備関係未払金 | 274,176 | 442,729 |
その他 | 34,892 | 41,680 |
流動負債合計 | 2,034,774 | 2,781,298 |
固定負債 | | |
長期借入金 | - | 261,540 |
繰延税金負債 | 197,515 | 268,739 |
退職給付引当金 | 988,717 | 1,007,874 |
長期預り金 | 171,350 | 171,573 |
固定負債合計 | 1,357,582 | 1,709,727 |
負債合計 | 3,392,357 | 4,491,025 |
| | (単位:千円) |
| 前事業年度 (2025年3月31日) | 当事業年度 (2026年3月31日) |
純資産の部 | | |
株主資本 | | |
資本金 | 3,395,887 | 3,395,887 |
資本剰余金 | | |
資本準備金 | 2,675,826 | 2,675,826 |
その他資本剰余金 | 0 | 0 |
資本剰余金合計 | 2,675,826 | 2,675,826 |
利益剰余金 | | |
利益準備金 | 476,536 | 476,536 |
その他利益剰余金 | | |
別途積立金 | 3,953,000 | 3,953,000 |
繰越利益剰余金 | 242,087 | 365,184 |
利益剰余金合計 | 4,671,624 | 4,794,720 |
自己株式 | △36,497 | △36,614 |
株主資本合計 | 10,706,840 | 10,829,820 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 903,511 | 1,178,760 |
評価・換算差額等合計 | 903,511 | 1,178,760 |
純資産合計 | 11,610,351 | 12,008,581 |
負債純資産合計 | 15,002,709 | 16,499,607 |
2025年3月31日
決算短信_202505151134263.財務諸表及び主な注記
(1)貸借対照表
| | (単位:千円) |
| 前事業年度 (2024年3月31日) | 当事業年度 (2025年3月31日) |
資産の部 | | |
流動資産 | | |
現金及び預金 | 3,664,647 | 2,954,759 |
売掛金 | 2,814,807 | 2,576,552 |
商品及び製品 | 1,030,843 | 1,963,646 |
仕掛品 | 352,981 | 294,315 |
原材料及び貯蔵品 | 622,211 | 791,320 |
前払費用 | 88,026 | 91,512 |
前渡金 | 63,588 | 14,359 |
未収入金 | 37,272 | 42,331 |
未収還付法人税等 | 22,567 | 7,665 |
その他 | 272,874 | 171,795 |
流動資産合計 | 8,969,821 | 8,908,257 |
固定資産 | | |
有形固定資産 | | |
建物 | 8,018,596 | 8,050,466 |
減価償却累計額 | △5,598,291 | △5,765,265 |
建物(純額) | 2,420,304 | 2,285,201 |
構築物 | 268,904 | 268,904 |
減価償却累計額 | △256,385 | △259,376 |
構築物(純額) | 12,518 | 9,527 |
機械及び装置 | 8,451,641 | 8,767,985 |
減価償却累計額 | △8,077,453 | △8,157,643 |
機械及び装置(純額) | 374,188 | 610,342 |
車両運搬具 | 37,843 | 38,323 |
減価償却累計額 | △35,738 | △36,128 |
車両運搬具(純額) | 2,104 | 2,194 |
工具、器具及び備品 | 1,037,957 | 1,086,391 |
減価償却累計額 | △965,738 | △977,442 |
工具、器具及び備品(純額) | 72,218 | 108,949 |
土地 | 82,947 | 82,947 |
建設仮勘定 | 63,625 | 214,205 |
有形固定資産合計 | 3,027,908 | 3,313,368 |
無形固定資産 | | |
ソフトウエア | 252,616 | 261,831 |
ソフトウエア仮勘定 | 100,752 | 12,204 |
その他 | 3,680 | 3,680 |
無形固定資産合計 | 357,049 | 277,715 |
| | (単位:千円) |
| 前事業年度 (2024年3月31日) | 当事業年度 (2025年3月31日) |
投資その他の資産 | | |
投資有価証券 | 2,442,113 | 1,847,919 |
保険積立金 | 284,916 | 291,529 |
長期前払費用 | 62,480 | 47,481 |
修繕積立金 | 108,851 | 132,720 |
その他 | 201,516 | 215,121 |
貸倒引当金 | △33,603 | △31,403 |
投資その他の資産合計 | 3,066,274 | 2,503,368 |
固定資産合計 | 6,451,232 | 6,094,451 |
資産合計 | 15,421,054 | 15,002,709 |
負債の部 | | |
流動負債 | | |
支払手形 | 149,885 | 36,102 |
買掛金 | 625,922 | 904,581 |
短期借入金 | 100,000 | 100,000 |
未払金 | 43,429 | 16,237 |
未払法人税等 | 27,816 | 44,997 |
未払費用 | 502,735 | 460,876 |
前受金 | 195 | 195 |
預り金 | 21,646 | 15,625 |
賞与引当金 | 163,900 | 118,528 |
設備関係支払手形 | 30,203 | 28,560 |
設備関係未払金 | 108,454 | 274,176 |
リース債務 | 529 | - |
その他 | 33,423 | 34,892 |
流動負債合計 | 1,808,142 | 2,034,774 |
固定負債 | | |
退職給付引当金 | 999,826 | 988,717 |
長期預り金 | 164,144 | 171,350 |
繰延税金負債 | 422,867 | 197,515 |
固定負債合計 | 1,586,838 | 1,357,582 |
負債合計 | 3,394,980 | 3,392,357 |
| | (単位:千円) |
| 前事業年度 (2024年3月31日) | 当事業年度 (2025年3月31日) |
純資産の部 | | |
株主資本 | | |
資本金 | 3,395,887 | 3,395,887 |
資本剰余金 | | |
資本準備金 | 2,675,826 | 2,675,826 |
その他資本剰余金 | 0 | 0 |
資本剰余金合計 | 2,675,826 | 2,675,826 |
利益剰余金 | | |
利益準備金 | 476,536 | 476,536 |
その他利益剰余金 | | |
別途積立金 | 3,953,000 | 3,953,000 |
繰越利益剰余金 | 281,767 | 242,087 |
利益剰余金合計 | 4,711,303 | 4,671,624 |
自己株式 | △36,391 | △36,497 |
株主資本合計 | 10,746,626 | 10,706,840 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 1,279,447 | 903,511 |
評価・換算差額等合計 | 1,279,447 | 903,511 |
純資産合計 | 12,026,073 | 11,610,351 |
負債純資産合計 | 15,421,054 | 15,002,709 |
E0092845120わかもと製薬株式会社WAKAMOTO PHARMACEUTICAL CO.,LTD.通期第2号参考様式 [日本基準](非連結)Japan 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2024年3月31日
決算短信_202405151133473.財務諸表及び主な注記
(1)貸借対照表
| | (単位:千円) |
| 前事業年度 (2023年3月31日) | 当事業年度 (2024年3月31日) |
資産の部 | | |
流動資産 | | |
現金及び預金 | 3,879,325 | 3,664,647 |
売掛金 | 3,196,694 | 2,814,807 |
商品及び製品 | 990,073 | 1,030,843 |
仕掛品 | 296,473 | 352,981 |
原材料及び貯蔵品 | 666,329 | 622,211 |
前払費用 | 83,233 | 88,026 |
前渡金 | 38,574 | 63,588 |
未収入金 | 17,444 | 37,272 |
未収還付法人税等 | - | 22,567 |
その他 | 185,238 | 272,874 |
流動資産合計 | 9,353,387 | 8,969,821 |
固定資産 | | |
有形固定資産 | | |
建物 | 7,942,043 | 8,018,596 |
減価償却累計額 | △5,458,749 | △5,598,291 |
建物(純額) | 2,483,293 | 2,420,304 |
構築物 | 268,504 | 268,904 |
減価償却累計額 | △250,492 | △256,385 |
構築物(純額) | 18,011 | 12,518 |
機械及び装置 | 8,348,009 | 8,451,641 |
減価償却累計額 | △8,006,367 | △8,077,453 |
機械及び装置(純額) | 341,641 | 374,188 |
車両運搬具 | 37,843 | 37,843 |
減価償却累計額 | △33,752 | △35,738 |
車両運搬具(純額) | 4,090 | 2,104 |
工具、器具及び備品 | 1,026,366 | 1,037,957 |
減価償却累計額 | △945,562 | △965,738 |
工具、器具及び備品(純額) | 80,804 | 72,218 |
土地 | 82,947 | 82,947 |
建設仮勘定 | 21,422 | 63,625 |
有形固定資産合計 | 3,032,210 | 3,027,908 |
無形固定資産 | | |
ソフトウエア | 139,238 | 252,616 |
ソフトウエア仮勘定 | 59,150 | 100,752 |
その他 | 3,680 | 3,680 |
無形固定資産合計 | 202,069 | 357,049 |
| | (単位:千円) |
| 前事業年度 (2023年3月31日) | 当事業年度 (2024年3月31日) |
投資その他の資産 | | |
投資有価証券 | 2,483,290 | 2,442,113 |
保険積立金 | 311,940 | 284,916 |
長期前払費用 | 73,638 | 62,480 |
修繕積立金 | 81,158 | 108,851 |
その他 | 209,861 | 201,516 |
貸倒引当金 | △36,003 | △33,603 |
投資その他の資産合計 | 3,123,886 | 3,066,274 |
固定資産合計 | 6,358,165 | 6,451,232 |
資産合計 | 15,711,553 | 15,421,054 |
負債の部 | | |
流動負債 | | |
支払手形 | 166,165 | 149,885 |
買掛金 | 795,279 | 625,922 |
短期借入金 | 100,000 | 100,000 |
未払金 | 16,738 | 43,429 |
未払法人税等 | 87,914 | 27,816 |
未払費用 | 624,269 | 502,735 |
前受金 | 242 | 195 |
預り金 | 13,359 | 21,646 |
賞与引当金 | 218,200 | 163,900 |
未払消費税等 | 77,728 | - |
設備関係支払手形 | 36,205 | 30,203 |
設備関係未払金 | 80,153 | 108,454 |
リース債務 | 1,059 | 529 |
その他 | 21,600 | 33,423 |
流動負債合計 | 2,238,916 | 1,808,142 |
固定負債 | | |
退職給付引当金 | 1,052,873 | 999,826 |
長期預り金 | 172,386 | 164,144 |
リース債務 | 529 | - |
繰延税金負債 | 340,177 | 422,867 |
固定負債合計 | 1,565,968 | 1,586,838 |
負債合計 | 3,804,884 | 3,394,980 |
| | (単位:千円) |
| 前事業年度 (2023年3月31日) | 当事業年度 (2024年3月31日) |
純資産の部 | | |
株主資本 | | |
資本金 | 3,395,887 | 3,395,887 |
資本剰余金 | | |
資本準備金 | 2,675,826 | 2,675,826 |
その他資本剰余金 | 2 | 0 |
資本剰余金合計 | 2,675,828 | 2,675,826 |
利益剰余金 | | |
利益準備金 | 476,536 | 476,536 |
その他利益剰余金 | | |
別途積立金 | 3,953,000 | 3,953,000 |
繰越利益剰余金 | 276,928 | 281,767 |
利益剰余金合計 | 4,706,464 | 4,711,303 |
自己株式 | △36,350 | △36,391 |
株主資本合計 | 10,741,831 | 10,746,626 |
評価・換算差額等 | | |
その他有価証券評価差額金 | 1,164,838 | 1,279,447 |
評価・換算差額等合計 | 1,164,838 | 1,279,447 |
純資産合計 | 11,906,669 | 12,026,073 |
負債純資産合計 | 15,711,553 | 15,421,054 |
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